Checking and Savings Account Fee Schedule 

Type Fee
Accounts Closed Within First 90 Days Account Research $40.00
Account Research $20.00 per hour
Account Reconcilement $20.00 per hour
ATM Fees Free
Cashiers Checks $5.00
Foreign Check Collection $35.00 per item
Counter Check $1.00
Deposited/Cashed Items Returned $12.00
Duplicate Statement/lnterim Statement $5.00
Garnishment / Attachment / Levy $75.00
Inactive Account Fee (Per Cycle) $6.00
Non-sufficient funds (NSF) / Return ltem(s) Fee $34.00
Online Person to Person Payment $0.40
Overdraft-Paid Item $34.00
Overdraft Transfer Fee $7.00
Replace Lost ATM/Debit Card $5.00
Gift Card Fee $3.95
Stop Payment $34.00
Wire Transfers: Incoming $14.00
Wire Transfers: Domestic Outgoing $24.00
Wire Transfers: International Outgoing $55.00
Returned Wire $8.00
External Online Transfers: Incoming Standard Free
External Online Transfers: Outgoing Standard $3.00
External Online Transfers: Next Day Outgoing/Incoming $9.95

Business Fee Schedule 

Type Fee
Account Maintenance Fee $18.00
ACH Items $0.18
Coin & Currency: Incoming Coin $6.00 per bag
Cash Deposited $1.00 per $1,000
Collections $15.00
Deposit Items - On Us $0.13
Deposit Items - Foreign $0.14
Deposit Tickets $0.50
Paid Items $0.15
Redeposited (Includes ACH) $2.00
Small Business Checking Transactions
(If total transactions exceed maximum allowed by account type.)
$0.25/ item > limit